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Choate Investment Advisors’s Clorox CLX Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$212K Sell
1,766
-14
-0.8% -$1.68K ﹤0.01% 392
2025
Q1
$262K Sell
1,780
-44
-2% -$6.48K 0.01% 346
2024
Q4
$296K Buy
1,824
+56
+3% +$9.09K 0.01% 332
2024
Q3
$288K Buy
1,768
+58
+3% +$9.45K 0.01% 322
2024
Q2
$233K Sell
1,710
-11
-0.6% -$1.5K 0.01% 341
2024
Q1
$264K Buy
+1,721
New +$264K 0.01% 348
2023
Q4
Sell
-1,559
Closed -$204K 389
2023
Q3
$204K Buy
1,559
+221
+17% +$29K 0.01% 344
2023
Q2
$213K Buy
+1,338
New +$213K 0.01% 278
2022
Q1
Sell
-1,190
Closed -$207K 362
2021
Q4
$207K Buy
+1,190
New +$207K 0.01% 276
2021
Q3
Sell
-1,190
Closed -$214K 310
2021
Q2
$214K Hold
1,190
0.01% 257
2021
Q1
$230K Hold
1,190
0.01% 240
2020
Q4
$240K Sell
1,190
-120
-9% -$24.2K 0.01% 222
2020
Q3
$275K Hold
1,310
0.02% 215
2020
Q2
$287K Hold
1,310
0.02% 203
2020
Q1
$227K Hold
1,310
0.02% 220
2019
Q4
$201K Buy
+1,310
New +$201K 0.01% 224
2019
Q3
Sell
-1,310
Closed -$201K 231
2019
Q2
$201K Sell
1,310
-65
-5% -$9.97K 0.01% 225
2019
Q1
$221K Sell
1,375
-42
-3% -$6.75K 0.01% 222
2018
Q4
$218K Sell
1,417
-62
-4% -$9.54K 0.01% 210
2018
Q3
$222K Buy
+1,479
New +$222K 0.01% 186
2018
Q1
Sell
-1,380
Closed -$205K 235
2017
Q4
$205K Sell
1,380
-980
-42% -$146K 0.01% 233
2017
Q3
$311K Buy
2,360
+5
+0.2% +$660 0.02% 205
2017
Q2
$314K Sell
2,355
-930
-28% -$124K 0.02% 202
2017
Q1
$443K Buy
3,285
+810
+33% +$109K 0.03% 174
2016
Q4
$297K Sell
2,475
-300
-11% -$36K 0.02% 202
2016
Q3
$347K Hold
2,775
0.02% 182
2016
Q2
$384K Sell
2,775
-356
-11% -$49.3K 0.03% 165
2016
Q1
$395K Sell
3,131
-575
-16% -$72.5K 0.03% 167
2015
Q4
$386K Buy
3,706
+170
+5% +$17.7K 0.03% 195
2015
Q3
$409K Sell
3,536
-160
-4% -$18.5K 0.03% 175
2015
Q2
$384K Hold
3,696
0.02% 186
2015
Q1
$408K Sell
3,696
-10
-0.3% -$1.1K 0.02% 185
2014
Q4
$386K Hold
3,706
0.02% 198
2014
Q3
$356K Hold
3,706
0.02% 198
2014
Q2
$339K Sell
3,706
-1,400
-27% -$128K 0.02% 213
2014
Q1
$449K Hold
5,106
0.03% 186
2013
Q4
$474K Sell
5,106
-400
-7% -$37.1K 0.03% 179
2013
Q3
$450K Sell
5,506
-450
-8% -$36.8K 0.03% 174
2013
Q2
$495K Buy
+5,956
New +$495K 0.04% 167